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UBAX04 – Month/Year End Closing in Microsoft Dynamics AX (AX2009/AX2012) - How2
Presenter: Richard Draper AX Solution Architect
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Presentation overview
Month End processing – AX2009/AX2012 steps and procedures Year End processing - AX2009/AX2012 steps and procedures Typical issues and how to reduce processing times using standard features. Includes new AX2012 features
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Month End Closing There is no magic month end “button” (consider using AX menu favorites/AX2012 case management/workflows) Month end processes are module specific: General Ledger Tax Bank Fixed Assets Accounts Payable Accounts Receivable Inventory Management Projects (invoicing &WIP posting) Production WIP reports – projects, production)
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Month End Closing – “Checklist”
Mandatory “STOP” month for all users except finance. Now “On Hold” in AX2012 G/L - Post all open journals Fixed Assets – Depreciations/acquisitions/disposals/bonus depreciations… A/R and A/P - post pre-payments & accruals. Inventory - close & adjust Run reconciliation reports – General ledger to ALL modules Reconcile between GRNI and GL Reconcile inventory module and GL Bank reconciliation & bank reconciliation report A/R & A/P aging reports Print and review trial balance Print and review financial statements Finally -“STOP” month for all users (ONLY close when financial statement is closed – no more transactions!! – Cannot undo!! Optional G/L or A/R and A/P - Run exchange adjustments Tax reports/payment EU Sales list & Intra-stat reports Consolidations & Eliminations Run Interest calculation Produce collection notes Update exchange rates Update tax exchange rate (E.Europe only) A/P Accrued purchases report A/R Shipped not invoiced Budget analysis reporting Expense and invoice processing Note “new” inventory reporting framework - report and reconcile Inventory and WIP values on one report. Replaces the SIX individual reports and manual adjustments, which were required in previous versions (pre April 2010)
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Year End Closing – “Checklist”
Pre-requisites Complete ALL month ends Carry out year end activities Fixed Asset depreciations Tax reporting/payment Run Inventory Close and Adjust to end of year Run Year End Backup data Create new fiscal year Run AX2009 year end Create B/S closing/opening transactions Calculate BS retained earnings from P&L Reset P&L balances to zero. Produce year end financial statements Send statements to Auditor Adjust ledger if required by Auditor Consider Posting layers – current tax/operations or 13th period Rerun Year end Set ALL periods to “Closed” (Be aware Close means Close. Only close when your financial statement is closed!!) Optional Rerun consolidations & Eliminations Run 1099 reporting (US) Reset number sequences if required
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Year End Closing process
G/L Parameters G/L Periodic Fiscal Year End Close Opening Transactions
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Reduce month end processing times
Take time to review and implement STANDARD AX2009/AX2012 features within: Chart of accounts/Main accounts setup Journal Names Journal approval Intercompany journal posting Journal control Journal posting restrictions Dimension Set Rules/Account structures (advanced rules) Allocation and allocation rules Accrual Schemes Consolidations Eliminations
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Reduce month end processing times
Chart of accounts/main accounts setup Locked in journal Ledger account db/cr setup Closed for posting Offset account Validation options Mandatory Reference
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Reduce month end processing times
Journal Names including: Journal Approval Ready/Approved/Rejected Intercompany journals Journal Control Posting Restrictions Reduce month end processing times
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Reduce month end processing times – Journal control/Posting restrictions
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Reduce month end processing times
Also consider: Dimension set rules & hierarchies Allocations and allocation rules Accrual Schemes Consolidations Eliminations
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Reduce month end processing times
AX2012 “dimension hierarchy control” - via Account Structures and Advanced Rules
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AX2009/AX2012 New inventory value (reconciliation) report
Note “new” inventory reporting framework - report and reconcile Inventory and WIP values on one report. Replaces the six individual reports and manual adjustments, which were required in previous versions (April 2010)
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Time saving features in AX2012
Account structures and advanced rules Shared currencies and COA’s Unlimited dimensions and auto populated dimension values Distribution Templates Pre-posting validation of sub-ledger posting Ledger account alias Pre-payments in AP Workflows 2/3 way matching - improved
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UBAX04 - Month and Year End Closing in Microsoft Dynamics AX - How2
Any questions? Richard Draper - AX Solution Architect
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